Rod's Account Talk

Thanks, Rod! I've been enjoying watching these trades play out. (y)
You betcha!

I decided to post them when they are complete instead of each step of the way. But, I will provide an update from time to time. With that being said,

My speculative AMC position is down 14.77%. I'm hoping for a pop with the next earnings report on 1 Aug.

My long term UNH position is down 3.34%.

My swing GME is up 6.15%.

I am 81% cash.

My real-time YTD is 16.85%.

God Bless! :)
 
I sold my swing GME @ 23.31 for a +7.53% gain.

I bought it @ 21.68 on 12 Jun.

BTW, I pull the numbers for my realized percentage gains/losses from my Schwab account.

God Bless! :)
 
As of now, my plan is to swing these, and average down as needed:

Bought NVDA @ 155.04

Bought TSLL @ 12.49

Bought JOBY @ 8.97

Bought QBTS @ 14.21

God Bless! :)
 
I'm dipping my toes into the short side. I have plenty of room to average down as needed:

Bought SPXU @ 17.14.

Bought SQQQ @ 20.01.

I sold the following:

JOBY @ 9.42 for a gain of +4.90%.

NVDA @ 155.35 for a minimal gain of +0.20%. Although it's about a dollar higher now, I simply did not trust the early action. I'll buy in again on a pullback.

God Bless! :)
 
I sold UNH @ 323.13 for a +4.86% gain.

It has plenty of room to move higher, but I'm anticipating a pullback and wanted to lock in some gains.

I may buy more on a good pullback.

God Bless! :)
 
I did a lot of "swing" buying today...

PLTR @ 131.40

JOBY @ 9.77

NVDA @ 155.32

INTC @ 21.58

MBC @ 11.73

AAPL @ 212.51

AMZN @ 220.51

IBIT @ 61.46

UNH @ 314.50

My dry powder remains @ 50%.

God Bless! :)
 
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